The Stochastic Programming Approach to Asset, Liability, and Wealth Management

Подход стохастического программирования к управлению активами, обязательствами и благосостоянием
2003-01-01

asset-liability managementstochastic programmingwealth management
my late University of Helsinki colleague, both of whom were most supportive of our joint work on anomalies
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No quantitative findings, datasets, performance metrics, limitations, or empirical evidence can be extracted from the supplied text.
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The provided abstract fragment contains no substantive information about stochastic programming, asset management, liability management, or wealth management.
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The text mentions a late University of Helsinki colleague and supportive joint work on anomalies, but provides no methodological contribution, results, comparisons, or conclusions.
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2003-01-01
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